NSCRX
Nuveen Small Cap Value Opportunities Fund
Nuveen Investment Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SM ENERGY CO 0 185,606 185,606 2.14% $5.79M
OLIN CORP 0 177,209 177,209 1.95% $5.27M
NORTHERN OIL AND GAS INC 0 160,917 160,917 1.74% $4.70M
PBF ENERGY INC CL A 0 93,279 93,279 1.64% $4.44M
NORTHWEST NATURAL HOLDING CO 0 76,691 76,691 1.51% $4.08M
FRANKLIN ELECTRIC CO. INC. 0 43,448 43,448 1.48% $4.00M
LXP INDUSTRIAL TRUST REIT 0 82,654 82,654 1.42% $3.82M
10X GENOMICS INC 0 176,714 176,714 1.39% $3.75M
POWER INTEGRATIONS INC 0 71,545 71,545 1.36% $3.66M
FLOWCO HOLDINGS INC 0 172,745 172,745 1.32% $3.56M
GATES INDUSTRIAL 0 156,065 156,065 1.31% $3.53M
ITRON INC 0 37,256 37,256 1.24% $3.34M
NETSCOUT SYSTEMS INC 0 96,894 96,894 1.14% $3.08M
PHOTRONICS INC 0 73,889 73,889 1.11% $2.99M
DUCOMMUN INC 0 21,849 21,849 0.99% $2.67M
ALAMO GROUP INC 0 16,062 16,062 0.98% $2.65M
RALLIANT CORP 0 62,888 62,888 0.97% $2.62M
NATIONAL VISION HOLDINGS INC 0 95,716 95,716 0.92% $2.48M
DAKTRONICS INC 0 105,410 105,410 0.76% $2.06M
PRAXIS PRECISION MEDICINES INC 0 4,323 4,323 0.52% $1.39M
Wave Life Sciences Ltd. COM NPV 0 110,929 110,929 0.30% $804.24K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
FLOWSERVE CORP 98,795 0 -98,795 0.00% -$6.85M
TEXAS CAPITAL BANCSHARES INC 67,909 0 -67,909 0.00% -$6.15M
ORMAT TECHNOLOGIES INC 47,381 0 -47,381 0.00% -$5.23M
IDACORP INC 37,617 0 -37,617 0.00% -$4.76M
RITHM CAPITAL CORP 394,458 0 -394,458 0.00% -$4.30M
ANTERO MIDSTREAM CORP 233,120 0 -233,120 0.00% -$4.15M
NCR ATLEOS CORP 108,475 0 -108,475 0.00% -$4.13M
PENNYMAC FINANCIAL SERVICES INC 30,814 0 -30,814 0.00% -$4.06M
TITAN AMERICA SA COMMON STOCK 238,554 0 -238,554 0.00% -$3.93M
FORTUNE BRANDS INNOVATIONS INC 74,167 0 -74,167 0.00% -$3.71M
MYR GROUP INC/DELAWARE 15,219 0 -15,219 0.00% -$3.33M
TAYLOR MORRISON HOME CORP 56,145 0 -56,145 0.00% -$3.31M
EL POLLO LOCO HO 315,399 0 -315,399 0.00% -$3.30M
SIMPLY GOOD FOODS CO 161,065 0 -161,065 0.00% -$3.23M
CORPORATE OFFICE PROPERTIES TR 114,454 0 -114,454 0.00% -$3.18M
CROCS INC 34,137 0 -34,137 0.00% -$2.92M
WEALTHFRONT CORP 192,517 0 -192,517 0.00% -$2.62M
ONE GAS INC 30,514 0 -30,514 0.00% -$2.36M
CERTARA INC 205,316 0 -205,316 0.00% -$1.81M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
VALLEY NATL BANCORP 425,607 589,390 163,783 2.68% $2.27M
Fixed Income Clearing Corporation 4,048,940 7,224,210 3,175,270 2.67% $3.18M
ATLANTIC UNION B 163,956 192,951 28,995 2.55% $1.11M
GLACIER BANCORP INC 129,905 152,345 22,440 2.52% $1.08M
MAGNOLIA OIL and GAS CORPO CL A 122,894 189,525 66,631 2.22% $3.29M
CARDINAL INFRA-A 135,586 147,145 11,559 2.16% $2.56M
AMENTUM HOLDINGS INC 198,765 216,276 17,511 2.09% -$123.71K
Americold Realty Trust Inc 232,395 335,445 103,050 1.42% $855.60K
GIGACLOUD TECHNOLOGY INC COMMON STOCK USD.05 66,039 83,219 17,180 1.40% $1.18M
MUELLER WATER PRODUCTS INC A 99,033 119,086 20,053 1.21% $914.71K
ADMA BIOLOGICS INC 220,963 223,093 2,130 0.74% -$2.02M
State Street Navigator Securities Lending Government Money Market Portfolio 441,325 1,329,417 888,092 0.49% $888.09K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ACADEMY SPORTS and OUTDOORS INC 71,719 59,058 -12,661 1.23% -$249.26K
VICOR CORPORATION 67,960 20,477 -47,483 1.22% -$4.15M
STANDARD MOTOR PRODUCTS INC 92,104 75,446 -16,658 0.97% -$773.04K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
VIASAT INC 174,142 174,142 0 2.95% $1.97M
ADEIA INC 320,251 320,251 0 2.85% $2.17M
SEACOAST BANKING CORP FLORIDA 218,563 218,563 0 2.45% -$246.98K
BGC GROUP INC-A 654,096 654,096 0 2.37% $555.98K
GENWORTH FINANCIAL INC A 731,495 731,495 0 2.20% -$665.66K
SPIRE INC 59,981 59,981 0 2.01% $470.25K
HOME BANCSHARES INC 188,450 188,450 0 1.88% -$160.18K
MAREX GRP. PLC 112,344 112,344 0 1.85% $698.78K
PEDIATRIX MEDICAL GROUP INC 232,532 232,532 0 1.84% $0
SABRA HEALTHCARE REIT INC 235,541 235,541 0 1.68% $68.31K
ALKERMES PLC 124,051 124,051 0 1.62% $915.50K
ARLO TECHNOLOGIES INC 296,680 296,680 0 1.56% $71.20K
MAXLINEAR INC 233,620 233,620 0 1.50% -$9.34K
FLOTEK INDUSTRIES INC 237,568 237,568 0 1.49% -$61.77K
CURBLINE PROPERTIES CORP 154,428 154,428 0 1.47% $398.42K
KNOWLES CORP 148,456 148,456 0 1.41% $630.94K
LivaNova PLC ORD GBP1.00 (DI) 57,722 57,722 0 1.36% $117.18K
INNOVEX INTERNATIONAL INC 146,646 146,646 0 1.32% $369.55K
DOUGLAS DYNAMICS INC 84,056 84,056 0 1.31% $793.49K
YETI HOLDINGS INC 93,613 93,613 0 1.27% -$709.59K
MINERALS TECHNOLOGIES INC 47,416 47,416 0 1.24% $472.74K
PRESTIGE CONSUMER HEALTHCARE INC 51,395 51,395 0 1.13% -$124.38K
SIGNET JEWELERS 35,862 35,862 0 1.12% $63.12K
WORTHINGTON STEEL INC 99,997 99,997 0 1.12% -$426.99K
ADDUS HOMECARE CORP 32,298 32,298 0 1.12% -$443.77K
PROTO LABS INC 52,487 52,487 0 1.11% $337.49K
ATKORE INC 50,011 50,011 0 1.09% -$217.05K
AMBARELLA INC 56,970 56,970 0 1.09% -$1.10M
PERELLA WEINBERG PARTNERS 146,395 146,395 0 0.98% $125.90K
CASTLE BIOSCIENCES INC 107,524 107,524 0 0.98% -$1.54M
POWERFLEET INC 747,332 747,332 0 0.85% -$1.67M

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.